Dark
Light
System
Institutional Investment Manager
Alyeska Investment Group, L.P.
Alyeska Investment Group, L.P. (CIK: 0001453072) incorporated in Delaware, located at 77 West Wacker Drive, Chicago, IL. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q3)
Portfolio Summary: 444 holdings with a total value of $10,810,913,000.
#
Name
Shares
Value ($)
%
Options
Notes
51 ALEXION PHARMACEUTIC 461,528 56,556,000 0.52%
52 U S SILICA HLDGS INC 1,209,704 56,324,000 0.52%
53 FLEX LTD 4,105,986 55,924,000 0.52%
54 CHICAGO BRIDGE & IRON CO N V 1,922,619 53,891,000 0.50%
55 FMC TECHNOLOGIES INC 1,803,397 53,507,000 0.49%
56 PINNACLE FOODS INC DEL 1,063,899 53,376,000 0.49%
57 BROOKDALE SR LIVING INC 3,005,489 52,446,000 0.49%
58 LIFE STORAGE INC 584,815 52,013,000 0.48%
59 SERVICENOW INC 645,444 51,087,000 0.47%
60 ANADARKO PETE CORP 806,004 51,068,000 0.47%
61 WAL-MART STORES INC 690,000 49,763,000 0.46%
62 WESTAR ENERGY 876,481 49,740,000 0.46%
63 CHARLES RIV LABS INTL INC 591,805 49,321,000 0.46%
64 NUVASIVE INC 735,822 49,050,000 0.45%
65 INCYTE CORP 513,355 48,404,000 0.45%
66 KAR AUCTION SVCS INC 1,105,708 47,722,000 0.44%
67 REYNOLDS AMERICAN INC 1,005,221 47,396,000 0.44%
68 HD SUPPLY HLDGS INCORPORATED 1,476,656 47,223,000 0.44%
69 BIOGEN INC 149,217 46,709,000 0.43%
70 TEXTRON INC 1,171,641 46,573,000 0.43%
71 NORDSTROM INC 896,294 46,500,000 0.43%
72 HALLIBURTON CO 1,034,114 46,411,000 0.43%
73 DEVON ENERGY CORP NEW 1,050,725 46,347,000 0.43%
74 FIREEYE INC 3,145,976 46,340,000 0.43%
75 MONSTER BEVERAGE CORP NEW 312,035 45,810,000 0.42%
76 TAKE-TWO INTERACTIVE SOFTWAR 1,004,446 45,280,000 0.42%
77 MARATHON OIL CORP 2,815,752 44,517,000 0.41%
78 B/E AEROSPACE INC 820,384 42,381,000 0.39%
79 MEDIA GENERAL INC NEW 2,283,556 42,086,000 0.39%
80 COLGATE PALMOLIVE CO 567,276 42,058,000 0.39%
81 MAGNA INTL INC 973,036 41,792,000 0.39%
82 CSX CORP 1,357,345 41,399,000 0.38%
83 QUALYS INC 1,081,439 41,300,000 0.38%
84 AXALTA COATING SYS LTD 1,450,000 40,992,000 0.38%
85 SYNCHRONY FINL 1,444,051 40,433,000 0.37%
86 GOLAR LNG LTD 1,895,257 40,179,000 0.37%
87 BROCADE COMMUNICATIONS SYS I 4,337,652 40,037,000 0.37%
88 WESTERN DIGITAL CORP 678,225 39,656,000 0.37%
89 BANK OF NT BUTTERFIELD&SON L 1,600,000 39,616,000 0.37%
90 UNITED CONTL HLDGS INC 747,279 39,210,000 0.36%
91 AMAZON COM INC 46,569 38,993,000 0.36%
92 DENTSPLY SIRONA INC 635,500 37,768,000 0.35%
93 CAPITAL ONE FINL CORP 518,242 37,225,000 0.34%
94 LILLY ELI & CO 462,659 37,133,000 0.34%
95 HERSHEY CO 387,112 37,008,000 0.34%
96 WABCO HLDGS INC 324,900 36,886,000 0.34%
97 CARLISLE COS INC 346,138 35,503,000 0.33%
98 TIFFANY & CO NEW 488,722 35,496,000 0.33%
99 US FOODS HLDG CORP 1,500,000 35,415,000 0.33%
100 AMPHENOL CORP NEW 544,409 35,343,000 0.33%
Page 2 of 9

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001164691-16-000315, filed 2016.11.14), New Holdings filing (0001164691-17-000151, filed 2017.08.17), New Holdings filing (0001164691-17-000113, filed 2017.05.17). and New Holdings filing (0001453072-17-000031, filed 2017.02.17).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.